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PDF - No. 4 : All Scheduled Commercial Banks - Business in India ()
No. 4 : All Scheduled Commercial Banks - Business in India
Date : Nov 12, 2001
     

(Rs. crore)


Last Reporting Friday(in case of March) /

1990-91

1999-00

2000-01

2000


Last Friday

   

Sep.

Mar.


1

2

3

4

5

6


Number of Reporting banks

271

297

296

297

296

      

Liabilities to the banking system (1)

6,486

53,838

77,088

56,649

77,088

      

Demand and time deposits from banks (2), (12)

5,443

36,711

50,750

40,040

50,750

      

Borrowings from banks (3)

967

16,266

24,047

15,142

24,047

      

Other demand and time liabilities (4)

76

861

2,291

1,467

2,291

      

Liabilities to others (1)

2,05,600

8,94,520

10,56,392

9,84,108

10,56,392

      

Aggregate deposits (5)

1,92,541

8,13,345

9,62,618

8,95,031

9,62,618

      

Demand

33,192

1,27,366

1,42,552

1,35,827

1,42,552

      

Time (5)

1,59,349

6,85,978

8,20,066

7,59,204

8,20,066

      

Borrowings (6)

470

2,734

2,566

7,183

2,566

      

Other demand and time liabilities (4), (13)

12,589

78,442

91,208

81,894

91,208

      

Borrowings from Reserve Bank (7)

3,468

6,491

3,896

6,719

3,896

      

Against usance bills/promissory notes

-

-

-

-

-

      

Others

3,468

6,491

3,896

6,719

3,896

      

Cash in hand and balances with Reserve Bank

25,665

62,750

65,202

78,289

65,202

      

Cash in hand

1,804

5,330

5,658

5,374

5,658

      

Balances with Reserve Bank (9)

23,861

57,419

59,544

72,915

59,544


      

(Rs. crore)


Last Reporting Friday(in case of March) /

  

2001

   

Last Friday

Apr.

May

Jun.

Jul. (P)

Aug. (P)

Sep. (P)


1

7

8

9

10

11

12


Number of Reporting banks

295

295

295

295

295

295

       

Liabilities to the banking system (1)

82,175

75,424

75,622

69,210

58,505

56,753

       

Demand and time deposits from banks (2), (12)

52,085

48,272

48,579

44,798

36,875

35,369

       

Borrowings from banks (3)

28,057

25,667

25,559

23,001

20,211

19,935

       

Other demand and time liabilities (4)

2,033

1,485

1,484

1,412

1,419

1,450

       

Liabilities to others (1)

10,95,506

10,97,268

11,12,427

11,18,577

11,36,123

11,54,596

       

Aggregate deposits (5)

9,92,805

10,00,278

10,16,789

10,21,779

10,35,822

10,52,472

       

Demand

1,44,567

1,41,070

1,47,944

1,42,438

1,41,710

1,46,131

       

Time (5)

8,48,238

8,59,208

8,68,846

8,79,341

8,94,112

9,06,341

       

Borrowings (6)

5,814

4,185

2,225

2,191

4,194

5,234

       

Other demand and time liabilities (4), (13)

96,887

92,804

93,413

94,607

96,107

96,891

       

Borrowings from Reserve Bank (7)

6,235

4,056

3,616

6,441

748

3,653

       

Against usance bills/promissory notes

-

-

-

-

-

-

       

Others

6,235

4,056

3,616

6,441

748

3,653

       

Cash in hand and balances with Reserve Bank

82,626

74,478

81,226

77,685

69,638

83,085

       

Cash in hand

6,094

6,423

6,900

6,465

6,517

6,177

       

Balances with Reserve Bank (9)

76,532

68,055

74,326

71,220

63,121

76,908


     

(Rs. crore)


Last Reporting Friday (in case of March) /

1990-91

1999-00

2000-01

2000


Last Friday

   

Sep.

Mar.


1

2

3

4

5

6


Assets with the Banking System

5,582

43,448

62,355

40,662

62,355

      

Balances with other banks

2,846

16,307

19,856

15,967

19,856

      

In current account

1,793

4,301

4,460

4,157

4,460

      

In other accounts

1,053

12,006

15,397

11,811

15,397

      

Money at call and short notice

1,445

21,680

35,628

19,865

35,628

      

Advances to banks (10)

902

3,542

4,933

3,209

4,933

      

Other assets

388

1,919

1,937

1,620

1,937

      

Investment

75,065

3,08,944

3,70,159

3,36,445

3,70,159

      

Government securities (11)

49,998

2,78,456

3,40,035

3,05,742

3,40,035

      

Other approved securities

25,067

30,488

30,125

30,703

30,125

      

Bank credit (14)

1,16,301

4,35,958

5,11,434

4,76,504

5,11,434

 

(4,506)

(25,691)

(39,991)

(32,131)

(39,991)

      

Loans,cash-credits and overdrafts

1,05,982

4,00,907

4,70,215

4,37,389

4,70,215

      

Inland bills-purchased

3,375

4,788

4,908

5,130

4,908

      

Inland bills-discounted

2,336

12,758

18,574

16,485

18,574

      

Foreign bills-purchased

2,758

8,886

9,351

9,038

9,351

      

Foreign bills-discounted

1,851

8,619

8,386

8,462

8,386

      

Cash-Deposit Ratio

13.3

7.7

6.8

8.7

6.8

      

Investment- Deposit Ratio

39.0

38.0

38.5

37.6

38.5

      

Credit-Deposit Ratio

60.4

53.6

53.1

53.2

53.1


      

(Rs. crore)


Last Reporting Friday (in case of March) /

  

2001

   

Last Friday

Apr.

May

Jun.

Jul. (P)

Aug. (P)

Sep. (P)


1

7

8

9

10

11

12


Assets with the Banking System

68,567

63,231

62,722

56,126

54,197

51,064

       

Balances with other banks

20,744

18,594

18,929

18,389

17,850

17,148

       

In current account

5,139

4,888

4,626

4,603

4,284

4,153

       

In other accounts

15,605

13,706

14,303

13,785

13,566

12,995

       

Money at call and short notice

41,326

37,846

37,018

31,301

32,608

29,881

       

Advances to banks (10)

4,440

5,053

4,821

4,562

1,795

2,041

       

Other assets

2,056

1,738

1,954

1,875

1,943

1,993

       

Investment

3,79,003

3,91,383

3,93,375

4,06,732

4,17,895

4,13,988

       

Government securities (11)

3,48,657

3,61,080

3,64,247

3,76,023

3,87,176

3,82,842

       

Other approved securities

30,346

30,303

29,128

30,709

30,719

31,146

       

Bank credit (14)

5,16,876

5,14,921

5,19,416

5,24,184

5,28,823

5,36,881

 

(39,309)

(47,572)

(50,340)

(51,027)

(50,338)

(47,924)

       

Loans,cash-credits and overdrafts

4,73,728

4,73,777

4,79,561

4,84,748

4,90,006

4,98,508

       

Inland bills-purchased

5,183

4,896

4,857

4,643

4,531

4,800

       

Inland bills-discounted

19,808

18,777

17,909

17,758

17,785

17,266

       

Foreign bills-purchased

9,759

9,036

9,222

8,996

8,559

8,390

       

Foreign bills-discounted

8,398

8,436

7,865

8,039

7,943

7,916

       

Cash-Deposit Ratio

8.3

7.4

8.0

7.6

6.7

7.9

       

Investment- Deposit Ratio

38.2

39.1

38.7

39.8

40.3

39.3

       

Credit-Deposit Ratio

52.1

51.5

51.1

51.3

51.1

51.0


See 'Notes on Tables'.

      

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